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Paolo Innocenti

Market Risk Manager at Garda Capital Partners

Paolo Innocenti has worked as a Sr. Market Risk Analyst at Garda Capital Partners since January 2023. Prior to that, they were a Market Risk Analyst at the same company from March 2020 to January 2023. Before joining Garda Capital Partners, Paolo worked at Morgan Stanley as an Interest Rates Market Risk Associate from January 2020 to March 2020, and as an Interest Rates Market Risk Analyst from June 2017 to December 2019. Paolo also has experience as a Mathematics and Physics Teacher at Istituto paritario Minerva from September 2015 to June 2016.

Paolo Innocenti began their education journey in 2010 when they enrolled at Sapienza Università di Roma for a Bachelor's degree in Mathematics. Paolo completed their undergraduate studies in 2013. In 2014, Paolo pursued a Master of Science (MSc) in Applied Mathematics at the same institution, completing it in 2016. During their Master's program, they had the opportunity to participate in an Erasmus Exchange program at The University of Manchester, although the specific field of study during their exchange is not provided. Following this, Paolo pursued further education at Università Bocconi in 2016, where they obtained a Master of Science (MSc) in Quantitative Finance and Risk Management (MAFINRISK) in 2017.

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